United States v. Phillips, Jarrode E. ( 2001 )


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  • In the
    United States Court of Appeals
    For the Seventh Circuit
    Nos. 99-3052, 99-3677, 99-3937 & 00-1045
    UNITED STATES OF AMERICA,
    Plaintiff-Appellee,
    v.
    JARRODE E. PHILLIPS, also known as JAKE,
    also known as TRIFE, also known as
    TRIFLING;
    FRANK E. STORK; LAMAR TAYLOR, also known
    as BULLET; and JOHN S. WAFFORD, also known
    as J. HENDERSON, also known as VIETNAM,
    Defendants-Appellants.
    Appeals from the United States District
    Court
    for the Northern District of Indiana,
    South Bend Division.
    No. 3:98 CR 67--Robert L. Miller, Jr.,
    Judge.
    Argued May 31, 2000--Decided February 1, 2001
    Before FLAUM, Chief Judge, and BAUER and
    HARLINGTON WOOD, JR., Circuit Judges.
    HARLINGTON WOOD, JR., Circuit Judge.
    Following jury trials, defendants-
    appellants were convicted on numerous
    counts relating to their involvement with
    the Dawg Life street gang in South Bend,
    Indiana, and now appeal.
    I.   BACKGROUND
    On April 19, 1999, after a three-week
    trial, a jury found three of the
    defendants guilty as follows: Phillips of
    maintaining a place for the purpose of
    manufacturing, distributing, or using a
    controlled substance, relating to the
    crack house at 303 LaPorte Street and the
    crack house at 1115 East Indiana Street,
    and possessing firearms as a felon; Stork
    of committing a violent crime in aid of
    racketeering in violation of the
    Racketeering Influenced and Corrupt
    Organizations Act ("RICO"), 18 U.S.C.
    sec.sec. 1961-68, and use of a firearm
    during a crime of violence; and Taylor of
    committing a violent crime in aid of
    racketeering activity in violation of
    RICO, using a firearm in relation to a
    violent crime, and helping to maintain a
    crack house at 1115 East Indiana Street.
    On October 13, 1999, after a separate
    two-day jury trial, Wafford was convicted
    of committing a violent crime in aid of
    racketeering in violation of RICO,
    possessing a firearm after having been
    convicted of a felony, and using a
    firearm during a crime of violence.
    Because both trials contained much of
    the same testimony and evidence, the
    background information from the two
    trials is presented together. As several
    of the issues concern the sufficiency of
    the evidence, the facts are set forth in
    detail.
    Testimony showed that Dawg Life began in
    the early 1990s as the Southeast Side
    Dogs street gang, operating in specific
    territory on the southeast side of South
    Bend, Indiana. The gang was involved in
    the sale of illegal drugs, particularly
    cocaine, both on the street and from
    certain gang-operated crack houses. The
    price paid to acquirecocaine depended on
    the amount the member could sell as well
    as his rank in the gang. The more cocaine
    a member sold, the lower the price he
    paid. Certain crack houses were
    controlled by Dawg Life, with only
    members allowed to sell drugs from the
    house.
    The lowest-ranking members of Dawg Life
    were referred to as "Little Locs," with
    "G. Locs" ("Gangsta Loc") being the next
    ascending rank. The highest-ranking
    members were known as "O.G.s" ("Original
    Gangsta"). There were identifying
    handshakes for each rank within the gang.
    The higher-ranking members received more
    privileges. Lower-ranking members went to
    higher-ranking members for drugs in order
    to make money. One of the Little Locs
    testified that Wafford, an O.G., had
    suggested the Little Locs pool their
    money, which they then gave to Wafford
    until they had a greater amount to
    purchase cocaine based on the fact that
    the price was incrementally less when
    purchased in greater quantities.
    Like other gangs, Dawg Life used hand
    signs to identify themselves as members
    and to differentiate themselves not only
    from other gangs but from friendly
    subgroups which developed within the
    gang. Two subgroups within Dawg Life were
    the Dawgy Style Mafia ("D.S.M.") and the
    Rush ("Ruthless Unstoppable Street
    Hustlers") Street Gangstas ("R.S.G.").
    Phillips and Stork were G. Locs in the
    R.S.G. Taylor was a G. Loc in the D.S.M.
    Wafford was an O.G. in the D.S.M. Members
    also identified themselves by wearing the
    Dawg Life colors of brown and black (the
    colors of a Rottweiler or Doberman
    pinscher).
    Dawg Life members advanced in rank by
    committing acts of violence, which
    increased the member’s reputation within
    the gang and correspondingly increased
    the gang’s reputation within the
    community. Members would "put in work" in
    order to advance. One member testified
    that "putting in work" meant "shooting,
    robbing, whatever," and that he was
    encouraged to shoot a rival gang member
    because it "might get you a higher rank."
    One member’s brother moved up a rank when
    he shot someone. Another member stated
    that an act of violence like a shooting
    "increases the [member’s] position in the
    gang and they recognize and respect him
    more." Members could be voted out of the
    gang if they were not deemed sufficiently
    violent. One of the witnesses testified
    he had been voted out of Dawg Life
    because he "wasn’t ready for the funk,"
    defining funk to mean, "like a war or
    something."
    Retaliation also gained a member respect
    and advancement. Members of Dawg Life
    lived by the saying "Retaliation is a
    Must." The gang produced and distributed
    CDs and tapes to members only, which
    contained a song entitled "Retaliation is
    a Must."
    Dawg Life also used hand signs to show
    disrespect to rival gangs or any non-gang
    persons. One of the threatening signs
    flashed was O.B.K., meaning "Off Brand
    Killer." Anyone not from the southeast
    side was labeled "off brand," and Dawg
    Life members flashed the sign to warn
    anyone "off brand" of what the gang might
    do to them. One witness testified that he
    was walking with about five friends when
    two black males approached them and threw
    the O.B.K. sign, which, the witness said,
    was like a warning "right before an enemy
    about to attack." When one of the black
    males pulled a handgun and began firing,
    the witness was shot in the ankle. The
    same witness was also physically
    assaulted on another occasion by males
    who identified themselves as members of
    Dawg Life.
    The gang also used personalized graffiti
    on rival gangs’ territory to show
    disrespect, such as O.B.K. and "Dawg Life
    4 Life."/1 It was not uncommon for Dawg
    Life and rival gangs to exchange gunfire.
    Dawg Life members responded violently
    when rivals spoke badly of them or showed
    disrespect. Members would either beat up
    or shoot rivals. Dawg Life members would
    also assault any non-member who attempted
    to sell crack from one of their houses.
    All members of Dawg Life attended
    "meeting[s] with a purpose" (clarified as
    "not just a party"). Discussions at these
    meetings included obtaining money to
    purchase cocaine, what would be done to
    anyone selling cocaine who was not a Dawg
    Life member, driving out rival drug
    dealers who were selling in their
    southeast territory, and the use of
    particular weapons in shootings.
    Stork Shooting of Charlotte Flemming
    On August 29, 1997, at approximately
    11:30 a.m., a mail carrier was near a
    home at 1143 Huey Street, which is
    located on the north side of South Bend
    within the territory of the Huey Street
    Posse, one of Dawg Life’s rivals. A
    police officer testified that 1143 Huey
    was the residence of Leroy and Charles
    Humbles, members of the Vice Lords/Huey
    Street Posse gang.
    The mailman saw a stranger in the front
    yard of the home fire several shots in a
    north-northeasterly direction. Almost
    immediately after, he saw a car coming
    from the north corner slow to a near stop
    in front of 1143 Huey. He then heard two
    shots being fired and saw the car speed
    away. One witness stated that he believed
    the shots were fired from the passenger
    side of the car. The mailman provided
    police with a detailed description of the
    car and a partial license plate number.
    Moments before the shooting, a high
    school student in the area saw someone in
    the car flash the O.B.K. sign. This
    student had previously been shot by a
    Dawg Life member who first flashed the
    O.B.K. sign at him. The student also
    recognized the car as belonging to a Dawg
    Life member. The car was easily
    identifiable because the body was black
    with gold rims and had a visible blue
    primer spot on one door.
    Within minutes after the shooting,
    police saw a car matching the description
    given by the mailman and began following.
    After a chase, the car eventually stopped
    and four occupants fled on foot. Police
    apprehended two of the occupants, one of
    whom exited from the front passenger side
    and was identified as Frank Stork. A .44
    caliber,-semi-automatic handgun
    manufactured in Israel, was recovered
    from the car. Casings found in the car
    and on Huey Street were both fired from
    the .44. Stork, who identified himself as
    a Dawg Life member, eventually admitted
    that he had fired the handgun in the
    direction of the house. He stated that he
    had heard shots fired and then fired his
    gun. Dawg Life held a meeting shortly
    after the shooting and testimony was
    given that at the meeting Stork discussed
    the type of gun used for the shooting and
    the problems he had with firing the gun.
    Charlotte Flemming, age 4, was inside
    the home at 1143 Huey and was injured by
    metal fragments from the aluminum storm
    door striking her face when shots
    penetrated into the house. Two fragments
    imbedded in her face, one in her cheek
    and the other above her eye. The
    fragments were surgically removed but she
    was left with two permanent scars.
    Taylor’s Shooting of David Carrell
    David Carrell lived on the southeast
    side of South Bend in Dawg Life territory
    and testified that he had never been a
    member of any gang. Carrell had several
    physical altercations with various gang
    members due to his refusal to join and
    was often flashed the O.B.K. sign.
    Carrell was conversing with Taylor’s
    cousin when Taylor interrupted and began
    arguing with Carrell. Taylor repeatedly
    referred to Dawg Life and told Carrell,
    "[T]his is Dawg Life," and "If you ain’t
    down with the life, you ain’t shit."
    Carrell responded, "Well, whatever, I
    don’t care what you is." Taylor’s final
    comment was, "I strike when I’m
    provoked." However, Taylor’s cousin
    testified at trial that he and Taylor
    were having a conversation when Carrell
    interrupted them and threw a rival gang
    sign at them.
    Less than two weeks later, when Carrell
    was returning from the late shift at
    work, he encountered Taylor after
    midnight outside of Carrell’s home. When
    Carrell saw Taylor point a gun at him, he
    ran. Taylor shot and wounded Carrell as
    he fled. Taylor’s cousin testified at
    trial that he saw Taylor sleeping at his
    (the cousin’s) house on the night of the
    shooting. However, the cousin had
    previously told police on the night of
    the shooting that he had not seen Taylor
    that night. Both the officer called to
    the scene and Carrell thought he was
    fatally wounded. Carrell was transported
    to the hospital by paramedics. Carrell
    had surgery and had to wear a colostomy
    bag for six months. Carrell has since had
    further corrective surgery.
    Wafford’s Shooting at David Carrell
    Carrell, after having been shot by
    Taylor in July 1998, was again the
    subject of another Dawg Life shooting a
    month later on August 28, 1998. Witnesses
    identified the house at 1414 South
    Fellows as a Dawg Life crack house.
    Carrell lived at his mother’s home and
    spent quite a bit of time at his
    grandmother’s house, which were only two
    houses apart and located near the
    intersection of Fellows and Haney, a few
    houses away from 1414 South Fellows.
    On the day in question, Carrell’s
    younger brother overheard a conversation
    with Wafford and another gang member that
    Carrell’s mother was "snitching." One of
    the gang members then stated, "You know
    what we got to do." Carrell’s brother
    found Carrell at his grandmother’s house
    and reported the conversation about their
    mother. Carrell took a handgun and, with
    his brother and cousin, went to his
    mother’s home. She was standing on the
    porch talking to a police officer. As he
    approached his mother’s house, Carrell
    heard several shots and saw what he
    believed to be gunfire coming from 1414
    South Fellows. Numerous spent casings and
    several live rounds were later recovered
    in and around 1414 South Fellows.
    When Carrell ducked for cover, he fell
    and injured himself. After the shots
    stopped, Carrell pulled out his gun and
    ran towards his mother’s house. Although
    the police officer on the porch had his
    gun drawn at Carrell, the officer
    testified that Carrell was visible to him
    at all times and he never saw Carrell
    fire a shot. The officer believed the
    shots had come from 1414 South Fellows,
    which he knew was a suspected Dawg Life
    crack house. The officer, seeing Carrell
    with a gun and blood on him, yelled at
    him to drop his weapon. Carrell threw the
    gun down and collapsed. He was
    transported to the hospital.
    Later that same day, a Dawg Life member
    told police that he was with Wafford, his
    cousin, that day and that Wafford was the
    shooter. Wafford was known to the police
    as he had recently stopped a patrol
    officer, introduced himself, told the
    officer that he knew who the officer was
    and asked him to "lighten up on everybody
    in the neighborhood." Wafford also told
    the officer he was an O.G., with Little
    Locs working for him, and asked the
    officer to lighten up on the Little Locs.
    Wafford’s cousin, who accepted a plea
    bargain, provided police with additional
    information, including the location of
    what he claimed was the weapon used in
    the shooting. The police obtained a
    search warrant and retrieved a Chinese-
    manufactured Norinco SKS assault rifle.
    No usable prints were recovered from the
    rifle. Because the ammunition casings
    were steel, which generally do not leave
    ejector marks when discharged, the police
    did not test to match the casings to the
    rifle as there was only a 10 percent
    probability of producing any valid
    results.
    Dawg Life Crack House at 303 LaPorte
    Street
    On January 31, 1996, the South Bend
    police served a search warrant at 303
    LaPorte Street. During the two weeks
    prior to the search, officers spent
    fifteen to twenty hours of surveillance
    on the house, watching people enter and
    leave after brief visits. During this
    time period, police observed Jarrode
    Phillips standing outside of the house
    throughout the week of the raid.
    Phillips, a convicted felon, was known to
    police as a Dawg Life member. On January
    25 and 30, undercover police officers
    made controlled buys of crack cocaine
    from the house.
    Upon entering the house on January 31 at
    6:20 a.m., police found Wafford,
    Phillips, four other gang members, and a
    woman inside. Phillips was sitting next
    to another Dawg Life member on a sofa.
    Underneath the sofa cushion between the
    two men, police found a .40 caliber
    Taurus semi-automatic handgun
    manufactured in Brazil. Both men had
    immediate access to the weapon. In
    addition, approximately fourteen white
    rocks (later tested and found to be crack
    cocaine), weighing over 33.61 grams, were
    found on the floor behind the sofa where
    Phillips was sitting. The police also
    discovered over $5,000 in cash, baggies,
    electronic scales, a cellular phone, a
    pager on Phillips, and Dawg Life written
    material. Along with ammunition, other
    weapons found included an assault rifle,
    a loaded Smith & Wesson revolver
    manufactured in Massachusetts, a Lorcin
    semi-automatic handgun manufactured in
    California, two shotguns, and a Mossberg
    sawed-off shotgun manufactured in
    Connecticut. Each of the seized weapons
    was found to have previously traveled in
    interstate commerce. The gang members
    arrested at the house sang Dawg Life rap
    songs while the police conducted the
    search. Phillips also stated to the
    police, "Dawg Life 4 Life."
    Dawg Life Crack House at 1115 East
    Indiana Street
    On April 30, 1998, South Bend police
    officers raided a crack house at 1115
    East Indiana Street. The house was
    identified at trial by a Dawg Life member
    as a Dawg Life crack house. Police had
    made controlled purchases of crack
    cocaine at the house on April 23 and 29.
    Prior to the raid, police had observed
    Lamar Taylor standing in front of the
    house and repeatedly walking up to cars,
    having a brief conversation, then
    returning to the house as the cars drove
    off.
    One gang member testified that Phillips
    lived at 1115 East Indiana; he had his
    own room there, slept there, had his
    girlfriend visit him there, and kept his
    clothes at the house. Both Phillips and
    Taylor were present when crack sales took
    place in the house. Phillips and Taylor
    were inside when the police arrived.
    Officers found weapons, ammunition,
    narcotics, scales, baggies, and 22.63
    grams of crack cocaine, along with Dawg
    Life writings. After his arrest, police
    observed that Phillips had a "Dawg or
    Die" tattoo.
    A police informant who had been at the
    house daily for approximately one month
    prior to the raid testified that only
    members of the Dawg Life gang were
    permitted to sell from the house. If an
    outsider attempted to sell at or near the
    house, gang members would beat them up
    and rob the outsider of his crack and his
    money.
    II. ANALYSIS
    A. Severance
    Phillips was the only defendant not
    charged with committing a violent crime
    in aid of racketeering. He argues that a
    joint trial with his three co-defendants,
    Frank Stork, Armond Stork (Frank’s
    brother), and Lamar Taylor, who were
    charged with crimes of violence in aid of
    racketeering involving the use of a
    dangerous weapon, prejudiced the jury
    against him and denied him a fair and
    impartial trial. His pretrial motion to
    sever and another motion made after the
    government began to present its case were
    both denied. However, after evidence
    against his co-defendants had been
    presented but immediately prior to the
    prosecution’s case-in-chief against
    Phillips, the governmentwithdrew its
    objection to severance but notified
    Phillips that if the trials were severed,
    "we may seek additional charges against
    Mr. Phillips." Phillips’ counsel
    requested additional time to determine
    whether or not to renew the request as
    she understood that failure to request
    severance at that point could mean waiver
    to any claims of error. Phillips decided
    to remain as a co-defendant. Phillips now
    argues that the district court abused its
    discretion in failing to sever under
    Fed.R.Crim.P. 8(b) or 14.
    "A motion for severance is typically
    waived if it is not renewed at the close
    of evidence, primarily because it is then
    that any prejudice which may have
    resulted from the joint trial would be
    ascertainable." United States v. Caudill,
    
    915 F.2d 294
    , 298 (7th Cir. 1990)
    (internal quotations and citation
    omitted). We noted that, for whatever
    reason the defendant failed to renew his
    motion to sever, "[w]e cannot countenance
    a system in which a defendant first tries
    to see whether he can get an acquittal in
    a joint trial, and then when he is
    convicted renews his motion to sever so
    that he can have another crack at a
    jury." United States v. Taglia, 
    922 F.2d 413
    , 417 (7th Cir. 1991).
    Phillips asserts in his brief that he
    did not renew his motion for severance
    because "he should not have been put in
    that position in the first place," and
    that "renewing at the end of the
    government’s case would have been
    futile." However, he fails to
    substantiate how his renewal would have
    been futile, particularly given the fact
    that earlier the district court had
    specifically inquired if Phillips wished
    to renew his motion.
    Even if Phillips had not waived the
    issue, his assertion that he was entitled
    to a separate trial is without merit. In
    asserting misjoinder under Rule 8(b),/2
    there is a presumption that participants
    in a conspiracy or other criminal schemes
    should be tried together, "not only to
    economize on judicial and prosecutorial
    resources but also to give the jury a
    fuller picture of the scheme." Taglia,
    
    922 F.2d at 416-17
     (citation omitted).
    Phillips had admitted he was a member of
    Dawg Life, and evidence further showed
    that all of his co-defendants were or had
    been members of Dawg Life. There was also
    evidence that all of the defendants were
    involved in either the distribution of or
    dealing in illegal drugs. Phillips had
    been arrested along with Taylor at one of
    the crack houses. There was no error
    under Rule 8(b).
    On a motion for severance under Rule
    14,/3 we give great deference to the
    district court, which is best able to
    assess the benefits and hazards of a
    joint trial. Caudill, 
    915 F. 2d at 298
    (citation omitted). A district court’s
    denial of severance will not be disturbed
    absent an abuse of discretion. United
    States v. Marshall, 
    75 F.3d 1097
    , 1105
    (7th Cir. 1996). A defendant must
    establish that he suffered "actual
    prejudice" resulting from the denial of
    severance. United States v. Pulido, 
    69 F.3d 192
    , 207 (7th Cir. 1995) (listing
    cases). Under the "actual prejudice"
    standard, a defendant must demonstrate
    that absent the severance, he was unable
    to obtain a fair trial. United States v.
    Magana, 
    118 F.3d 1173
    , 1186 (7th Cir.
    1997) (citation omitted).
    The two Storks and Taylor were charged
    with a violent crime in aid of
    racketeering because the government had
    evidence of those three allegedly having
    been involved in shootings. There was
    evidence that all four defendants were
    involved in an enterprise which dealt in
    illegal drugs. The district court
    directed the prosecuting attorneys not to
    ask any questions of witnesses testifying
    against the Storks and Taylor that might
    elicit testimony implicating Phillips and
    scrupulously reiterated a limiting
    instruction/4 to remind the jury the
    testimony could not be used in
    considering Phillips’ charges. See
    Marshall, 
    75 F.3d at
    1105 (citing United
    States v. Stillo, 
    57 F.3d 553
    , 557 (7th
    Cir. 1995) (stating that a criminal
    defendant "must rebut the dual
    presumptions that a jury will (1) capably
    sort through the evidence and (2) follow
    limiting instructions from the court to
    consider each defendant separately.")).
    Furthermore, in instructing the jury on
    Phillips’ charges, the district court
    again gave a limiting instruction:
    Even though the defendants are being
    tried together, you must give each of
    them separate consideration. In doing
    this, you must analyze what the evidence
    shows about each defendant, leaving out
    of consideration any evidence that was
    admitted solely against some other
    defendant or defendants. Each defendant
    is entitled to have his case decided on
    the evidence and the law that applies to
    that defendant.
    See Magana, 
    118 F.3d at 1188
    . Under
    circumstances such as these, the Supreme
    Court noted that our trial system "relies
    upon the ability of a jury to follow
    instructions." Opper v. United States,
    
    348 U.S. 84
    , 95 (1954).
    We believe the jury carefully considered
    the evidence with respect to the
    individual counts, finding certain
    defendants not guilty on particular
    counts but guilty on other counts and
    acquitting Armond Stork. See Magana, 
    118 F.3d at 1189
    . Phillips has not shown any
    actual prejudice. We agree with the
    district court’s ruling and find there
    was no abuse of discretion in denying the
    motion for severance.
    Phillips also argues that if he has
    waived the severance issue, he is now
    entitled to plain error review under
    Fed.R. Crim.P. 52(b), which provides,
    "Plain errors or defects affecting
    substantial rights may be noticed
    although they were not brought to the
    attention of the court." He maintains,
    "If he had not been on trial with these
    other gang members . . . he probably
    would have won his freedom."
    Rule 52(b) gives the courts of appeals
    limited authority to correct errors that
    a party did not bring to the attention of
    the district court. United States v.
    Olano, 
    507 U.S. 725
    , 730 (1993). In
    Olano, the Supreme Court clarified the
    standard for Rule 52(b) "plain error"
    review by courts of appeal. The Court
    distinguished between "forfeited" errors
    that simply were not timely raised in
    district court and "waived" errors that
    were intentionally abandoned or
    relinquished. 
    Id. at 733
     ("Whereas
    forfeiture is the failure to make the
    timely assertion of a right, waiver is
    the ’intentional relinquishment or
    abandonment of a known right.’") (quoting
    Johnson v. Zerbst, 
    304 U.S. 458
    , 464
    (1938)).
    The Court noted that there must be
    "error" that is "plain" and that
    "affect[s] substantial rights." Olano,
    
    507 U.S. at 732
    . However, the Court
    stated, "Deviation from a legal rule is
    ’error’ unless the rule has been waived."
    
    Id. at 733
    . Where the legal rule is
    waivable, a defendant who enters a valid
    waiver to that right has no claim of
    "error." Id.; United States v. Penny, 
    60 F.3d 1257
    , 1261 (7th Cir. 1995) ("When a
    right is waived, it is not reviewable,
    even for plain error."); see United
    States v. Griffin, 
    84 F.3d 912
    , 924 (7th
    Cir. 1996) ("intentional relinquishment
    or abandonment of a known right precludes
    [appellate review]."). The Supreme Court
    has held the right to trial is waivable.
    See Olano, 
    507 U.S. at 733
    . We have also
    held that a defendant may waive the right
    to counsel free from conflict of
    interest. See Gomez v. Ahitow, 
    29 F.3d 1128
    , 1133 (7th Cir. 1994). As the Court
    noted in Olano, consideration of whether
    a right is waivable, whether the
    defendant participated in the waiver, and
    whether the defendant’s choice is
    informed or voluntary, is taken into
    account. 
    507 U.S. at 733
    . In this case,
    after a recess to confer with his lawyer,
    Phillips’ attorney stated that "he’s had
    sufficient time and discussion to make
    the decision," and Phillips himself
    agreed that he chose to remain in the
    case rather than seek severance. His
    statement constituted a personal,
    informed, and voluntary waiver.
    Therefore, the "error" was
    "extinguished." See 
    id.
     Phillips’ waiver
    precludes him from raising the issue on
    appeal. See Griffin, 
    84 F.3d at 924
    (concluding defendant’s waiver
    extinguished his error); United States v.
    Lakich, 
    23 F.3d 1203
    , 1207 (7th Cir.
    1994) ("[I]f there has been a valid
    waiver, there is no ’error’ for us to
    correct."). Phillips is not entitled to
    raise on appeal the very matter that he
    told the district court he did not want
    to raise. See United States v. Davis, 
    127 F.3d 335
    , 339 (7th Cir. 1997).
    B.   Jury Selection
    Phillips and Taylor objected to the jury
    array on the ground that none of the
    approximately forty-eight prospective
    jurors were African American or Hispanic.
    The Jury Selection and Service Act of
    1968, 28 U.S.C. sec.sec. 1861-78 (1982)
    ("the Act"), provides, "No citizen shall
    be excluded from service as a grand or
    petit juror in the district courts of the
    United States on account of race, color,
    religion, sex, national origin, or
    economic status." 28 U.S.C. sec. 1862. A
    statutory challenge must be made by
    motion "before the voir dire examination
    begins, or within seven days after the
    defendant discovered or could have
    discovered, by the exercise of diligence,
    the grounds therefor, whichever is
    earlier." 28 U.S.C. sec. 1867(a). The
    motion must also contain "a sworn
    statement of facts which, if true, would
    constitute a substantial failure to
    comply with the provisions of this title
    . . . ." 28 U.S.C. sec. 1867(d).
    Technically, appellants failed to
    satisfy both of these procedural
    prerequisites for a statutory challenge
    to the jury array. The motion was made
    orally approximately three-quarters of
    the way into voir dire. After having
    interviewed thirty-seven members of the
    jury panel, with a final group of ten to
    be brought in, Stork’s attorney raised
    the issue, in which all defense attorneys
    joined, stating that there were "some
    serious concerns about the composition of
    the jury panel." Defendants argue that
    because the final ten members of the jury
    panel were "saved back" (not having been
    brought into the courtroom until the
    afternoon session), it was not possible
    to make a sec. 1867 motion until seeing
    that none of the ten final members were
    African American or Hispanic. The
    defendants could have queried the
    district court about the composition as
    soon as they saw no African Americans or
    Hispanics in the first group of venire
    members; as the statute specifies, the
    challenge must be made "before the voir
    dire examination begins . . . ." Although
    "saving back" a portion of the panel may
    be an unusual practice, we cannot say the
    defendants were not alerted to the lack
    of African Americans or Hispanics with
    the first group of thirty-seven venire
    persons.
    The second requirement, that of a "sworn
    statement," was not satisfied as the
    objections consisted only of counsels’
    discussion before the judge about the
    fact that no blacks or Hispanics appeared
    in the jury pool. Counsel then presented
    copies of the 1990 U.S. Census Data for
    each of the eleven counties which
    comprise the South BendDivision of the
    Northern District of Indiana, and argued
    that the non-white population was 8
    percent of the total population for the
    entire South Bend Division. However,
    counsel specifically challenged the fact
    that there were no African Americans or
    Hispanics represented.
    Based on the total population of
    782,401, the total black population, as
    indicated in the census material, was
    42,847, or approximately 5.4 percent of
    the total population. There was no
    separate identification for Hispanic or
    Spanish descent on the census, but an
    inclusive category of "Other Race." The
    "Other Race" population was 5,566, or .7
    percent. Given the fact that we cannot
    presume the entire "Other Race" category
    is comprised exclusively of Hispanics,
    that percentage must be even less.
    However, having no way to determine the
    breakdown, for the sake of argument, we
    will use the entire .7 percent figure,
    resulting in 6.1 percent, not 8 percent
    as defendants stated.
    Also included in counsel’s presentation
    was a copy of the Amended Jury Selection
    Plan (1997) for the Northern District of
    Indiana. The Amended Plan states that
    names are selected at random from the
    general election voter registration
    lists, or, in those counties which do not
    maintain voter registration lists, from
    the lists of actual voters. Prior to the
    Jury Selection Act, most federal
    districts used the "key man" system,
    where persons believed to have extensive
    contacts in the community would suggest
    names of prospective jurors and the
    qualified jury wheel would be made up
    from those names. S. Rep. No. 891, at 10
    (1967). This system was thought to foster
    discrimination. The Act substituted a
    random selection method from the district
    or division registered voter or actual
    voter lists. 28 U.S.C. sec. 1863 (b)(2).
    As the committee reports state:
    If the voter lists are used and
    supplemented where necessary, and if the
    procedures outlined in the bill are
    otherwise rigorously followed, it is no
    departure from the standards of the
    legislation that the qualified jury
    wheel, the venire or array, or the jury
    itself, may not reflect a community cross
    section. The act . . . does not require
    that at any stage beyond the initial
    source list the selection process shall
    produce groups that accurately mirror
    community makeup. Thus, no challenge lies
    on that basis.
    Id. at 17; H.R. Rep. No. 1076, at 5
    (1968), reprinted in 1968 U.S.C.C.A.N.
    1792, 1794; see also United States v.
    Koliboski, 
    732 F.2d 1328
    , 1331 (7th Cir.
    1984) (holding that voter lists are
    proper source from which to draw a pool
    of jurors).
    The Amended Plan clearly follows the
    process and procedures recommended by the
    Act. Defendants’ one-page motion, filed
    on March 30, 1999, stated that of the
    forty-eight potential jurors, there was
    not a single African American or
    Hispanic. Although accompanied by two
    exhibits (the 1990 Census Data and the
    Amended Jury Selection Plan), the motion
    did not include a sworn statement which
    "if true, would constitute a substantial
    failure to comply with the provisions of
    [the Jury Selection Act]."/5 In fact,
    the Amended Plan only served to show the
    district’s compliance with provisions and
    procedures of the Act. Defendants’
    failure to make a motion in a timely
    manner and failure to provide evidence,
    other than oral observations as to the
    lack of statistical proportionality,
    precluded a statutory challenge. 28
    U.S.C. sec. 1867(e); see United States v.
    Grose, 
    525 F.2d 1115
    , 1119 (7th Cir.
    1975). The district court did not err in
    denying the untimely and substantively
    inadequate motion. Having failed to
    comply with thestatutory requirements of
    sec. 1867(d), the defendants were not
    entitled to an evidentiary hearing
    challenging the district’s jury selection
    process. United States v. Percival, 
    756 F.2d 600
    , 615 (7th Cir. 1985).
    Phillips and Taylor also challenged the
    jury composition under the Sixth
    Amendment, which forbids racial
    discrimination in the selection of
    jurors. See Taylor v. Louisiana, 
    419 U.S. 522
    , 530 (1975). Whether a defendant has
    been denied the right to a jury selected
    from a fair cross-section of the
    community is a mixed question of law and
    fact, which we review de novo. United
    States v. Raszkiewicz, 
    169 F.3d 459
    , 462
    (7th Cir. 1999). While the right to a
    jury trial guarantees the criminal
    defendant a fair trial by a panel of
    impartial, "indifferent" jurors, Irwin v.
    Dowd, 
    366 U.S. 717
    , 722 (1961), there is
    no requirement that a venire or jury
    mirror the general population. United
    States v. Duff, 
    76 F.3d 122
    , 124 (7th
    Cir. 1996). "Defendants are not entitled
    to a jury of any particular composition."
    Taylor, 
    419 U.S. at 538
    . Therefore, "the
    makeup of any given venire is not
    significant, provided all rules for
    selection have been observed." Duff, 
    76 F.3d at
    125 (citing Holland v. Illinois,
    
    493 U.S. 474
    , 482-83 (1990)).
    To make a prima facie case that the fair
    cross-section requirement has been
    violated, a defendant must show that: (1)
    the group allegedly excluded is a
    distinctive part of the community, (2)
    the representation of this group in
    venires from which juries are selected is
    not fair and reasonable in relation to
    the number of such persons in the
    community, and (3) this
    underrepresentation is due to systematic
    exclusion of the group in the jury
    selection process. Johnson v. McCaughtry,
    
    92 F.3d 585
    , 590 (7th Cir. 1996) (citing
    Duren v. Missouri, 
    439 U.S. 357
    , 364
    (1979)). There is no dispute that African
    Americans or Hispanics may constitute a
    "distinctive part of the community,"
    thereby satisfying the first prong. As to
    the second prong, defendants argued the
    jury pool failed to reflect at least 8
    percent of the community (although the
    correct percentage, as discussed
    previously, was something less than 6.1
    percent). In either case, we have noted
    that "a discrepancy of less than ten
    percent alone is not enough to
    demonstrate unfair or unreasonable
    representation of blacks on the venire."
    United States v. Ashley, 
    54 F.3d 311
    , 314
    (7th Cir. 1995) (citation omitted).
    Therefore, defendants fail to satisfy the
    second requirement.
    Defendants also fail to make a showing
    under the third prong that there was a
    systematic exclusion of African Americans
    and Hispanics. See Swain v. Alabama, 
    380 U.S. 202
    , 203-04 (1965). Defendants
    presented evidence of the district’s
    compliance with the proper methods of
    jury selection yet failed to provide a
    factual basis for a finding of improper
    methods of jury selection. "The mere
    observation that a particular group is
    underrepresented on a particular panel
    does not support a constitutional
    challenge." Grose, 525 F.2d at 1119. The
    district court did not err in denying
    defendants’ constitutional challenge to
    the jury selection process.
    C.   Sufficiency of Evidence
    The defendants challenge the sufficiency
    of the evidence as to a number of issues.
    A defendant who attacks the legal
    sufficiency of the evidence supporting a
    conviction "faces a nearly insurmountable
    burden." United States v. Hickok, 
    77 F.3d 992
    , 1002 (7th Cir. 1996) (internal
    quotation and citation omitted). Great
    deference is given to the finding of the
    jury. Penny, 
    60 F.3d at 1262
    . The jury’s
    verdict will be overturned "only when the
    record contains no evidence, regardless
    of how it is weighed, from which the jury
    could find guilt beyond a reasonable
    doubt." United States v. Rosalez-Cortez,
    
    19 F.3d 1210
    , 1215 (7th Cir. 1994).
    1.   Dawg Life as an Enterprise
    Taylor, Stork, and Wafford challenge the
    sufficiency of the evidence to support
    their convictions for engaging in an
    enterprise of racketeering activity. An
    enterprise is defined as "any
    partnership, corporation, association, or
    other legal entity, and any union or
    group of individuals associated in fact
    although not a legal entity, which is
    engaged in, or the activities of which
    affect, interstate or foreign commerce."
    18 U.S.C. sec. 1959(b)(2). This
    definition of enterprise is the same as
    that used in the RICO Act, 18 U.S.C. sec.
    1961(4). See United States v. Rogers, 
    89 F.3d 1326
    , 1335 (7th Cir. 1996). Under
    sec. 1959, the government may prosecute
    not only conduct under RICO that
    constitutes a pattern of racketeering
    activity in connection with an
    enterprise, but also for violent crimes
    which, in part, permit a defendant to
    maintain his position in a RICO
    enterprise. 
    Id.
     Therefore, cases decided
    under sec. 1961(4) may also be used to
    determine what constitutes an enterprise
    under sec. 1959. 
    Id.
    For a RICO conviction, the government
    must prove "both the existence of an
    ’enterprise’ and the connected ’pattern
    of racketeering activity.’" United States
    v. Turkette, 
    452 U.S. 576
    , 583 (1981). As
    the Court clearly explains,
    The enterprise is an entity, for present
    purposes a group of persons associated
    together for a common purpose of engaging
    in a course of conduct. The pattern of
    racketeering activity is, on the other
    hand, a series of criminal acts as
    defined by the statute. The former is
    proved by evidence of an ongoing
    organization, formal or informal, and by
    evidence that the various associates
    function as a continuing unit. 18 U.S.C.
    sec. 1961(1) (1976 ed., Supp. III). The
    latter is proved by evidence of the
    requisite number of acts of racketeering
    committed by the participants in the
    enterprise.
    
    Id.
    Defendants argue that although there may
    have been sufficient evidence to show
    that Dawg Life was "at most a group of
    people who get together to commit a
    pattern of racketeering activity. . . .
    the government was required to present
    additional evidence to establish beyond a
    reasonable doubt that this group of
    people constituted an enterprise."
    Defendants rely on United States v.
    Korando, which noted that while the
    statutory definition of enterprise
    includes "enterprises that exist solely
    in order to carry out illegal activity,
    the enterprise needs to be something more
    than just the pattern of racketeering
    activity. Otherwise, two statutory
    elements--enterprise and pattern--would
    be collapsed into one." 
    29 F.3d 1114
    ,
    1117 (7th Cir. 1994) (citations omitted).
    However, we also stated in Korando that
    the hallmark of an enterprise is
    structure, with the enterprise having "a
    structure and goals separate from the
    predicate [criminal] acts themselves." 29
    F.3d at 1117 (citations omitted). We also
    noted that RICO applies not only to
    formal enterprises but to informal ones
    like criminal gangs. Id.
    In this case, the jury instructions
    defining enterprise and racketeering
    activity clearly distinguish the elements
    needed for the two separate charges.
    An "enterprise," as that term is used in
    these instructions, includes any group or
    individuals associated in fact although
    not a legal entity, which is engaged in,
    or the activities of which affect,
    interstate or foreign commerce. An
    "enterprise" can include a group of
    people associated together for a common
    purpose of engaging in a course of
    conduct. This group may be associated
    together for purposes that are both legal
    and illegal. In considering whether a
    group is an "enterprise," you should
    consider whether it has an ongoing
    organization or structure, either formal
    or informal, and whether the various
    members of the group functioned as a
    continuing unit. The hallmark of an
    enterprise is structure; there must be
    some structure that is amenable to
    consensual or hierarchical decision-
    making, though there need not be much. A
    group may continue to be an "enterprise"
    even if it changes membership by gaining
    or losing members over time. The
    government must prove that the group
    described in the indictment was the
    "enterprise" charged, but need not prove
    each and every allegation in the
    indictment about the enterprise or the
    manner in which the enterprise operated.
    Final Jury Instructions, p. 9.
    "Racketeering activity" includes any act
    or threat involving robbery, or dealing
    in a controlled substance. The indictment
    alleges that the Dawg Life Gang engaged
    in acts involving robbery in violation of
    Indiana criminal law, and the felonious
    manufacture, importation, receiving,
    concealing, buying, selling or otherwise
    dealing in controlled substances in
    violation of federal law. Under Indiana
    law, robbery consists of the knowing or
    intentional taking of property from
    another person or from the presence of
    another person by using or threatening
    the use of force on any person, or by
    putting any person in fear. Federal law
    prohibits the knowing manufacturing,
    importing, receiving, concealing, buying,
    selling, or otherwise dealing in
    controlled substances. "Manufacture"
    means to produce or prepare; "import"
    means that the substance in question was
    brought from a point outside the United
    States into the United States.
    Final Jury Instructions, p. 10.
    Reviewing the evidence in the light most
    favorable to the government, it is clear
    from the record, including testimony from
    admitted Dawg Life gang members, that the
    government presented more than sufficient
    evidence that the Dawg Life gang was an
    enterprise. Dawg Life was a long-
    established street gang operating on the
    southeast side of South Bend and was
    involved in the sale of illegal drugs. It
    was an ongoing organization with members
    who functioned as a continuing unit.
    There was a definite structure with a
    distinct ranking of members. There was
    also sufficient evidence for the jury to
    determine that there was a type of
    hierarchical decision-making based on
    testimony as to one member being voted
    out the gang, one member being appointed
    to a higher level, of lower-ranking
    members going to higher-ranking members
    for drugs, and of higher-ranking members
    controlling the pooling of money for
    lower-ranking members. The continuity of
    an informal enterprise with
    differentiated roles amongst the
    participants provides the necessary
    "structure" to satisfy the statutory
    requirements of an enterprise. Korando,
    29 F.3d at 1117-18 (citation omitted).
    Defendants incorrectly argue that the
    structure evidence collapsed into the
    evidence of racketeering activity. As we
    noted in Rogers, the language of Turkette
    does not require "the enterprise to have
    a purpose separate and apart from the
    pattern of racketeering activity." 
    89 F.3d at 1336
     (emphasis in original)
    (citing Turkette, 
    452 U.S. at 583
    ). We
    held that the Court in Turkette "was
    merely emphasizing that proof of an
    enterprise is separate and apart from
    proof of a pattern of racketeering
    activity. Thus the two elements are
    separate and apart, and ’the proof used
    to establish these separate elements may
    in particular cases coalesce . . . .’’’
    
    Id.
     (emphasis in original) (citing
    Turkette, 
    452 U.S. at 538
    ). "[I]t would
    be nonsensical to require proof that an
    enterprise had purposes or goals separate
    and apart from the pattern of
    racketeering activity." Id. at 1337.
    "[T]he fact that a single individual may
    engage in a pattern of racketeering
    activity without, of course, comprising
    an enterprise adequately illustrated the
    inherent and logical distinction between
    the two elements." Id.
    The district court properly instructed
    the jury on the elements as to enterprise
    and racketeering activity; that an
    enterprise required elements beyond the
    "racketeering activity" acts of dealing
    in controlled substances. The evidence
    was sufficient to allow the jury to find
    that Dawg Life was "an entity separate
    and apart from the pattern of activity in
    which it engages." See Turkette, 
    452 U.S. at 583
    .
    2. Violent Crimes to Maintain or Increase
    Position in Enterprise
    Taylor, Stork, and Wafford all challenge
    the sufficiency of the evidence as to
    their convictions for the commission of a
    violent crime in aid of racketeering in
    violation of 18 U.S.C. sec. 1959, which,
    in part, provides:
    Whoever, as consideration for the receipt
    of, or as consideration for a promise or
    agreement to pay, anything of pecuniary
    value from an enterprise engaged in
    racketeering activity, or for the purpose
    of gaining entrance to or maintaining or
    increasing position in an enterprise
    engaged in racketeering activity,
    murders, kidnaps, maims, assaults with a
    dangerous weapon, commits assault
    resulting in serious bodily injury upon,
    or threatens to commit a crime of
    violence against any individual . . .
    shall be punished . . . .
    18 U.S.C. sec. 1959(a).
    The basic instruction given to the jury
    for all three defendants required a
    finding that (1) the Dawg Life street
    gang existed and was an enterprise
    engaged in, or the activities of which
    affected, interstate or foreign commerce,
    (2) that the Dawg Life street gang
    engaged in racketeering activity, (3)
    that defendant committed a specific
    violent crime under Indiana law, and (4)
    that defendant committed the violent
    crime for the purpose of gaining entrance
    to or maintaining or increasing position
    in the Dawg Life street gang. The
    government is required to prove that the
    defendant’s general purpose in committing
    the crime of violence was to maintain or
    increase his position in the criminal
    enterprise.
    There was testimony that the Dawg Life
    gang was an ongoing enterprise involved
    in the sale of illegal drugs. The gang
    operated on principles of violence and
    that violence was a prerequisite for
    rewarding and promoting members. There
    was also testimony that acts of violence
    were a part of the Dawg Life culture and
    violence was the expected behavior in
    order to maintain one’s status within the
    gang.
    a.   Stork
    Stork was charged with committing a
    battery with a dangerous weapon resulting
    in the serious bodily injury of Charlotte
    Flemming and aiding and abetting in a
    battery. Witnesses provided evidence that
    occupants in the car yelled gang "things"
    and were throwing up O.B.K. signs prior
    to the shooting. Stork admitted to having
    fired a handgun in the direction of the
    house and conceded that gang slogans were
    shouted, although "they probably came
    from another car." There was also
    testimony that Stork had discussed the
    shooting and his problems with firing the
    gun at one of the gang meetings.
    Given the general testimony as to the
    importance of violence in Dawg Life, and
    the specific testimony as to the
    shooting, there was sufficient evidence
    for the jury to find beyond a reasonable
    doubt that the shooting was the type of
    behavior encouraged and demanded of
    members of Dawg Life in order to maintain
    their status within the gang. See
    Rosalez-Cortez, 
    19 F.3d at 1215
    .
    b.   Taylor
    Taylor was charged with committing a
    battery with a dangerous weapon resulting
    in the serious bodily injury of David
    Carrell. The general testimony of gang
    violence, along with Carrell’s
    identification of Taylor as the shooter,
    was sufficient for the jury to find
    beyond a reasonable doubt that Taylor’s
    violent act was part of his behavior as a
    member of Dawg Life, and that behavior
    allowed him to, at a minimum, maintain
    his status within the gang.
    c.   Wafford
    Wafford was charged with committing
    attempted battery with a dangerous weapon
    for the attempted shooting of David
    Carrell. Wafford concedes that he shot at
    Carrell and does not deny that he was
    involved in Dawg Life’s crack house
    operations. However, he argues that
    theevidence did not prove that the
    purpose of the shooting was to gain
    entrance to, maintain, or increase his
    position in Dawg Life. One of the gang
    members who testified stated that he and
    Wafford were the shooters and that the
    Carrell shooting was a "spur of the
    moment" decision having nothing to do
    with Dawg Life. He also testified that he
    believed Carrell had shot at Wafford
    sometime in the past but was unable to
    elaborate.
    There was also testimony from one of the
    police officers who regularly patrolled
    the southeast side and was familiar with
    gang activity. The officer explained that
    he had been very aggressive in making
    cocaine arrests in the Dawg Life
    territory and taking people to jail. This
    officer stated he was stopped by Wafford
    while on patrol in August of 1998,
    several weeks before the shooting. He
    said that Wafford introduced himself and
    told the officer that Wafford knew who he
    (the officer) was. The officer stated
    that Wafford told him he (Wafford) was an
    O.G., and he wanted the officer to
    "lighten up on the Little Locs in the
    neighborhood." (As a high-ranking O.G.,
    Wafford would not usually sell the drugs
    himself, but would supervise the sales
    carried out by the lower-ranking members,
    normally the Little Locs.)
    There was sufficient evidence for the
    jury to find that Wafford believed that
    Carrell’s mother was "snitching" to the
    police about the crack house, which,
    testimony showed, was controlled by Dawg
    Life members, and from which place
    Wafford supervised crack sales. The jury
    could reasonably have found that Wafford,
    as an O.G., was acting to protect and
    further the Dawg Life enterprise,
    carrying out his responsibilities as
    required by his position within the gang.
    Basically, all three defendants are
    asking this court to reweigh the
    evidence, which we may not do. United
    States v. Mojica, 
    984 F.2d 1426
    , 1435
    (7th Cir. 1993) ("It is not the task of
    this appellate court to reconsider the
    evidence or assess the credibility of the
    witnesses."). As the defendants’
    sufficiency of the evidence arguments
    rely on the weight the jury gave to the
    witnesses’ testimony, we find there was
    sufficient evidence to convict each one
    of committing a violent crime in order to
    maintain his position within the criminal
    enterprise.
    3.   Maintaining a Crack House
    Phillips and Taylor were both convicted
    of aiding in the maintenance of a crack
    house in violation of 21 U.S.C. sec.
    856/6 and 18 U.S.C. sec. 2./7
    There was testimony that Dawg Life
    controlled at least six known crack
    houses, including the ones on LaPorte
    Street and East Indiana Street. Neither
    defendant disputes the testimony that the
    houses on LaPorte and East Indiana were
    crack houses and that illegal drugs were
    being sold. Phillips argues that he was
    an innocent bystander who just happened
    to be at both houses. Taylor argues, at
    most, he could have been a lookout.
    Defendants’ arguments are without merit.
    Again, they ask us to reweigh the
    evidence, which we may not do. See
    Mojica, 
    984 F.2d at 1435
    .
    Given the identification that Dawg Life
    was involved in the sale of illegal
    drugs, that these were Dawg Life crack
    houses, that commercial sales had taken
    place in these houses, see United States
    v. Church, 
    970 F.2d 401
    , 406 (7th Cir.
    1992), that Phillips and Taylor were both
    higher-ranking G. Locs, and that G. Locs
    were known to supervise the sale of drugs
    by the lower-ranking Little Locs, there
    was sufficient evidence for the jury to
    find guilt beyond a reasonable doubt.
    4.   Phillips’ Possession of a Firearm
    Phillips was convicted as a felon in
    possession of a firearm in violation of
    18 U.S.C. sec. 922(g)/8 and now argues
    there was insufficient evidence to show
    his possession of any of the firearms
    seized at the raid on 303 LaPorte Street
    when he was arrested. To obtain a
    conviction for felon-in-possession under
    sec. 922(g)(1), the government must
    establish beyond a reasonable doubt that
    (1) the defendant had a previous felony
    conviction, (2) the defendant possessed a
    firearm, and (3) the firearm had traveled
    in or affected interstate commerce.
    United States v. Walls, 
    225 F.3d 858
    , 864
    (7th Cir. 2000) (citations omitted). The
    only element at issue is Phillips’
    "possession" of a firearm. Possession may
    be demonstrated by either actual or
    constructive possession. 
    Id.
     (citation
    omitted). Actual possession may be shown
    by direct physical control of the
    firearm. 
    Id.
     Constructive possession
    occurs when the defendant "knowingly has
    the power and the intention at a given
    time to exercise dominion and control
    over an object, either directly or
    through others." United States v.
    Garrett, 
    903 F.2d 1105
    , 1110 (7th Cir.
    1990) (emphasis and citations omitted).
    In fact, the government presented
    sufficient evidence to show both actual
    and constructive possession of firearms
    located at 303 LaPorte. Phillips had
    direct control of the Taurus handgun
    found under the cushion next to him on
    the sofa. He had constructive possession
    of the other firearms in the sense that
    he had been observed at the house during
    the week of the raid and he was a higher-
    ranking member of Dawg Life at a Dawg
    Life crack house. Due to Phillips’
    position in the gang, the jury could
    reasonably infer that he was in control
    at the crack house. At a minimum, the
    government need only show some nexus
    between the defendant and the guns. See
    United States v. Hunte, 
    196 F.3d 687
    , 692
    (7th Cir. 1999) ("a defendant’s access to
    a firearm, even when others also had
    access, was sufficient to allow a jury to
    find constructive possession." (citation
    omitted)).
    The district court’s jury instruction as
    to "possession" was proper, reading in
    part, "Possession of an object is the
    ability to control it. Possession may
    exist even when a person is not in
    physical contact with the object, but
    knowingly has the power and intention to
    exercise direction or control over it,
    either directly or through others." There
    was sufficient evidence for the jury to
    convict Phillips on this charge.
    D.   Sentencing Challenge
    In the final issue, Stork argues that
    the district court misinterpreted the
    United States Sentencing Guidelines
    ("U.S.S.G." or the "Guidelines") in
    applying a six-level enhancement under
    sec. 2A2.2(b)(3) for "permanent or life-
    threatening" injuries suffered by
    Charlotte Flemming. Because Stork is
    challenging the legal interpretation of
    the Guidelines, our review is de novo.
    United States v. White, 
    222 F.3d 363
    , 372
    (7th Cir. 2000) (citation omitted). The
    district court’s findings of fact are
    reviewed for clear error. United States
    v. Griffin, 
    150 F.3d 778
    , 787 (7th Cir.
    1998) (citation omitted).
    Section 2A2.2 for aggravated assault
    begins with a base offense level of 15. A
    two-level enhancement is added if the
    victim has sustained bodily injury, four
    levels for serious bodily injury, and six
    levels for "permanent or life-threatening
    bodily injury." U.S.S.G. sec.
    2A2.2(b)(3). Section 1B1.1, cmt. n.1(j),
    of the Guidelines defines "serious bodily
    injury" in pertinent part as an "injury
    involving extreme physical pain or the
    protracted impairment of a function of a
    bodily member, organ, or mental faculty;
    or requiring medical intervention such as
    surgery, hospitalization, or physical
    rehabilitation." Section 1B1.1, cmt.
    n.1(h), defines "permanent or life-
    threatening bodily injury" as an "injury
    involving a substantial risk of death;
    loss or substantial impairment of the
    function of a bodily member, organ, or
    mental faculty that is likely to be
    permanent; or an obvious disfigurement
    that is likely to be permanent."
    Stork argues that the term "permanent
    injury" when linked with "life-
    threatening" means that the permanent
    injury "must be of the same magnitude or
    seriousness as a life-threatening
    injury," and "the disfigurement must rise
    to the same level as a substantial
    impairment of bodily function." He
    maintains that a four-level enhancement
    for "serious bodily injury" would have
    been appropriate. The government argues
    that the scars are a permanent
    disfigurement. The district court noted
    that other cases based on injuries
    "permanent or life-threatening" have been
    more serious injuries than Charlotte
    Flemming’s facial scars, see United
    States v. Jacobs, 
    167 F.3d 792
    , 797 (3rd
    Cir. 1999) (finding that the injuries
    were both permanent and life-
    threatening); United States v. Price, 
    149 F.3d 352
    , 353-54 (5th Cir. 1998) (finding
    that there was 10-15% permanent loss of
    hand function), and that cases based on
    "serious bodily injury" have involved
    injuries that might be considered more
    serious than facial scars, see United
    States v. Rodgers, 
    122 F.3d 1129
    , 1133
    (8th Cir. 1997) (finding that post-
    traumatic stress disorder causing loss of
    mental faculties and requiring
    hospitalization was a "serious bodily
    injury"). However, we agree with the
    district court’s assessment that the
    issue is not whether other victims have
    suffered worse injuries but whether
    Charlotte Flemming suffered "permanent"
    injuries within the meaning of the
    Guidelines. As the Fifth Circuit noted in
    United States v. Price, "The plain
    language of application note 1(h)
    encompasses injuries that may not be
    terribly severe but are permanent, hence
    the disjunctive: ’permanent or life-
    threatening injuries.’" 
    149 F.3d at 354
    .
    The record provides sufficient evidence
    that Charlotte Flemming suffered
    permanent and disfiguring scars on her
    face, which are obvious to anyone who
    sees her. There was no clear error in the
    district court’s conclusion that
    Charlotte suffered a "permanent or life-
    threatening bodily injury" with an
    enhancement under sec. 2A2.2(b)(3)(C).
    III.   CONCLUSION
    For the above-stated reasons, the
    judgment of the district court is
    affirmed in all respects.
    AFFIRM.
    FOOTNOTES
    /1   The L is written upside-down to denote
    disrespect to the rival Lakeside gang.
    /2   Rule 8(b) provides:
    (b) Joinder of Defendants. Two or more
    defendants may be charged in the same
    indictment or information if they are
    alleged to have participated in the same
    act or transaction or in the same series
    of acts or transactions constituting an
    offense or offenses. Such defendants may
    be charged in one or more counts together
    or separately and all of the defendants
    need not be charged in each count.
    /3   Rule 14, Relief from Prejudicial
    Joinder, provides:
    If it appears that a defendant or the
    government is prejudiced by a joinder of
    offenses or of defendants in an indict-
    ment or information or by such joinder
    for trial together, the court may order
    an election or separate trials of counts,
    grant a severance of defendants or pro-
    vide whatever other relief justice re-
    quires. In ruling on a motion by a defen-
    dant for severance the court may order
    the attorney for the government to deliv-
    er to the court for inspection in camera
    any statements or confessions made by the
    defendants which the government intends
    to introduce in evidence at trial.
    /4   Prior to any testimony not relating
    to Phillips’ charges, the district court
    informed the jury that "the evidence that
    you hear [at this time] may not be con-
    sidered in deciding whether the govern-
    ment has proven its case with respect to
    Mr. Phillips."
    /5   We can only guess that defense
    counsel thought their discussion in court
    was the equivalent of a "sworn state-
    ment." While it is true that the discus-
    sion was recorded and transcribed by the
    court reporter, no official copy of this
    discussion nor any affidavit was ever
    submitted at any time as the mandatory
    sworn statement required by 28 U.S.C.
    sec. 1867(d).
    /6    21 U.S.C. sec. 856, Establishment
    of manufacturing operations, provides in
    part:
    (a) Except as authorized by this subchap-
    ter, it shall be unlawful to--
    (1) knowingly open or maintain any
    place for the purpose of manufacturing,
    distributing, or using any controlled
    substance;
    (2) manage or control any building,
    room, or enclosure, either as an owner,
    lessee, agent, employee, or mortgagee,
    and knowingly and intentionally rent,
    lease, or make available for use, with or
    without compensation, the building, room,
    or enclosure for the purpose of unlawful-
    ly manufacturing, storing, distributing,
    or using a controlled substance.
    /7   18 U.S.C. sec. 2, Principals, pro-
    vides in part, "Whoever commits an of-
    fense against the United States or aids,
    abets, counsels, commands, induces or
    procures its commission, is punishable as
    a principal." 
    Id.
     sec. 2(a).
    /8    18 U.S.C. sec. 922(g) provides in
    part:
    (g) It shall be unlawful for any person--
    (1) who has been convicted in any
    court of, a crime punishable by imprison-
    ment for a term exceeding one year;
    . . .
    to ship or transport in interstate or
    foreign commerce, or possess in or af-
    fecting commerce, any firearm or ammuni-
    tion; or to receive any firearm or ammu-
    nition which has been shipped or trans-
    ported in interstate or foreign commerce.